Risk Analyst, Market Risk
$85k - $145kRBC
Job Description What is the Opportunity? The GRM Market Risk group provides independent and effective monitoring, control, and communications on the nature and extent of all material market risk and ensures the implementation and compliance with risk management policies and procedures. The new hire will join as a junior member of the GRM team that is responsible for the oversight fixed income market risk in New York with primary responsibilities and other key aspects of the job defined in the following sections. What will you do? Help provide risk oversight for the fixed income trading businesses. Aid in the management of the market risk reporting process and ensure the accuracy of key risk measurements. Development of the risk infrastructure. Analyze key trading strategies and products to ensure they are in line with RBCCM risk tolerance and objectives. Review significant transactions to help facilitating business and ensure proper risk controls. Work with trading to ensure a close cohesion on key risk issues: systems, limits, risk management. Play a lead role in enhancing the GRM risk systems, focused on derivatives business lines Investigate risks to provide value-added insight and analysis to senior management on risk. Resource for risk oversight of spread products and structured rates within the fixed income team in RBC market risk NY. What do you need to succeed? Must-have MS/MA, MBA or BS/BA with emphasis in finance, economics or a quantitative discipline Knowledge of financial markets that demonstrates an interest in the subject matter Preferred to have strong technology experience ideally with Python and familiarity with SQL Preferred to have knowledge of Fixed Income products Ability to handle and prioritize a significant and diverse workload, with strong attention to detail Ability to communicate clearly to key relationship contacts What’s in it for you? We thrive on the challenge to be our best, progressive thinking to keep growing, and working together to deliver trusted advice to help our clients thrive and communities prosper. We care about each other, reaching our potential, making a difference to our communities, and achieving success that is mutual. A comprehensive Total Rewards Program include competitive compensation and flexible benefits, such as 401(k) program with company-matching contributions, health, dental, vision, life, disability insurance, and paid-time off. Leaders who support your development through coaching and managing opportunities. Ability to make a difference and lasting impact. Work in a dynamic, collaborative, progressive, and high-performing team. Opportunities to do challenging work. Opportunities to build close relationships with clients. The expected salary range for this particular position is $85,000-$145,000 (New York), depending on your experience, skills, and registration status, market conditions and business needs. You have the potential to earn more through RBC’s discretionary variable compensation program which gives you an opportunity to increase your total compensation, provided the business meets its performance targets and you meet your individual goals. RBC’s compensation philosophy and principles recognize the importance of a highly qualified global workforce and plays a critical role in attracting, engaging and retaining talent that: Drives RBC’s high-performance culture Enables collective achievement of our strategic goals Generates sustainable shareholder returns and above market shareholder value #LI – POST Job Skills Analytical Thinking, Communication, Credit Derivatives, Decision Making, Economic Analysis, Financial Instruments, Group Problem Solving, Interest Rate Derivatives, Market Analysis, Market Risk, Python (Programming Language), Quantitative Analysis, Risk Management, Structured Query Language (SQL), Tableau (Software) Additional Job Details Address: BROOKFIELD PLACE FKA 3 WORLD FINANCIAL CENTER, 200 VESEY STREET:NEW YORK City: New York Country: United States of America Work hours/week: 40 Employment Type: Full time Platform: GROUP RISK MANAGEMENT Job Type: Regular Pay Type: Salaried Posted Date: 2026-07-09 Application Deadline: 2026-09-05 Note: Applications will be accepted until 11:59 PM on the day prior to the application deadline date above Our Employment Opportunities At RBC, we are guided by living shared values of Client First, Integrity, Collaboration, Respect and Excellence and winning together as One RBC. We believe an inclusive workplace that has diverse perspectives is core to our continued growth as one of the largest and most successful banks in the world. Maintaining a workplace where our employees feel supported to perform at their best, effectively collaborate, drive innovation, and grow professionally helps to bring our Purpose to life and create value for our clients and communities. RBC strives to deliver this through policies and programs intended to foster a workplace based on respect, belonging and opportunity for all. Join our Talent Community Stay in-the-know about great career opportunities at RBC. Sign up and get customized info on our latest jobs, career tips and Recruitment events that matter to you. Expand your limits and create a new future together at RBC. Find out how we use our passion and drive to enhance the well-being of our clients and communities at jobs.rbc.com. RBC is presently inviting candidates to apply for this existing vacancy. Applying to this posting allows you to express your interest in this current career opportunity at RBC. Qualified applicants may be contacted to review their resume in more detail. Royal Bank of Canada is a global financial institution with a purpose-driven, principles-led approach to delivering leading performance. Our success comes from the 84,000+ employees who bring our vision, values and strategy to life so we can help our clients thrive and communities prosper. As Canada’s biggest bank, and one of the largest in the world based on market capitalization, we have a diversified business model with a focus on innovation and providing exceptional experiences to more than 16 million clients in Canada, the U.S. and 34 other countries. Learn more at rbc.com. We are proud to support a broad range of community initiatives through donations, community investments and employee volunteer activities. See how at rbc.com/community-social-impact.
$117.73k - $138.5k
...discover what you excel at—all from Day One. Job Description Market Risk Management operates within the second line of defense and reports... ...’s risk appetite. The Market Risk Governance & Volcker Analyst is a key contributor to the Market Risk Management team, supporting...SuggestedTemporary workWork experience placementWork at officeLocal area3 days per week- U.S. Bank is seeking a Market Risk Governance & Volcker Analyst in New York. This position is crucial for supporting governance processes and regulatory engagement within the Market Risk Management team. The role requires collaboration with various stakeholders to ensure...Suggested
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...collaboration strengthens our conviction and empowers us to capitalize on market dislocations. At SFM, we foster an ownership mindset,... ...Overview We are seeking a driven and analytical Market Risk Analyst to join our dynamic Risk Management team. This is a high-...SuggestedPermanent employmentWork at office- ...Job Title Strong background in Capital Markets with hands on experience in Risk management Domain. Strong understanding of Credit Risk, Counterparty Credit Risk / Market Risk from an IT perspective. Strong experience in handling large transformation projects....Suggested
$68 - $73.68 per hour
...Market Risk Analyst Location: Jersey City, New Jersey (Onsite) Contract Duration: 12 Months Employment Type: Contract Role Overview This role with the Market Risk Technology team offers an opportunity to work closely with senior business stakeholders in...SuggestedHourly payContract work- An established industry player is on the lookout for a Market Risk Analyst to enhance their dynamic team in New York. This role offers the chance to work closely with senior management, focusing on conducting quantitative risk analysis, including Value at Risk (VaR) and...
$105k - $125k
BBVA Group is seeking a Market Risk Associate I in New York. This role involves analyzing risk profiles, producing and presenting risk reports, and participating in the model validation process. Candidates should have a Bachelor’s degree, knowledge of market risk measures...- U.S. Bank is seeking a Market Risk Governance & Volcker Program Analyst in New York. This role includes supporting governance processes and risk reporting activities while partnering with senior team members across functions. The ideal candidate will have a Bachelor's...
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Familyoffice is seeking a driven Market Risk Analyst to join our dynamic Risk Management team based in New York City. This high-impact role offers exposure across various investment strategies, and involves engaging directly with portfolio managers while contributing to...$100k - $150k
...intersection of reinsurance and capital markets? Do you enjoy solving complex problems in... ...Re's Alternative Capital Partners (ACP) Risk Management team and help oversee one of the... ...(Cat Bonds). About the Role As a Risk Analyst within ACP Risk Management, you will support...Full timeWork at officeRemote workVisa sponsorshipRelocation packageFlexible hours$135k - $175k
Brookfield Asset Management in New York is seeking a financial risk management professional responsible for strategy formation and execution. This broad role includes market analysis, hedging strategies, and derivatives trade execution. The candidate will work within a...- A leading International Broker-Dealer, located in New York, NY, is seeking a Market Risk Analyst to join their growing team. This is a great opportunity to join a dynamic group and work closely with senior management, as this individual will be reporting directly into the...
$126.96k
Job Duties Identify, analyze, and monitor areas of risk related to business processes and controls. Ensure appropriate oversight for... ...across business units, probe questions to identify potential market, client, and other risks within aligned workflows. Identify risks...$85k - $110k
Goldman Sachs Group, Inc. is hiring an Analyst for the Risk Management team in New York. The role involves monitoring risks associated with GSAM funds across various investment strategies, developing stress tests, and building relationships with key portfolio managers....- JobPath Partners LLC is seeking a professional for risk management in Prime Finance, FX Prime Services, and Derivatives Clearing Services. The role involves setting margin levels, controlling leverage, and monitoring portfolio risks. Applicants should have an advanced...
- Staffing is seeking a Senior Associate Leveraged Finance Credit Analyst in New York City. The role combines credit and market risk responsibilities with exposure to high‑profile leveraged loan transactions. You will evaluate deals, partner with Trading and Investment Banking...
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...make a real difference. Role Summary Santander's Corporate & Investment Banking (CIB) business is seeking an experienced PolyPath Market Risk Specialist with strong technical and business knowledge to support pricing, valuation, and market risk activities within a large...Full timeContract workWork experience placement- Santander Consumer USA Inc. is seeking a PolyPath Market Risk Specialist in New York. The ideal candidate will have expert knowledge in PolyPath and experience in market risk. Responsibilities include enhancing PolyPath capabilities and analyzing market risk workflows....
$100k - $110k
...candidates for a credit analysis role. This position offers hands-on exposure to hedge funds and private equity within dynamic global markets. Responsibilities include establishing credit limits and monitoring exposures. Ideal candidates should possess a Bachelor's degree...- Market Risk Associate - Cross Asset Join to apply for the Market Risk Associate - Cross Asset role at Nomura . Role Summary We are seeking an Associate to join Market Risk - Portfolio and Model Management group in New York. The successful candidate will help review and...Full time
- Morgan Stanley is looking for an Associate to join their Non-Market Risk team within the Institutional Equity Division. In this role, you'll work with various groups across the Firm to manage risks focusing on the Delta One Structured Products and Securities Lending businesses...
$105k - $125k
...*facilitate the application for job offers with LinkedIn**. If you wish to obtain more detailed information, please consult our .MARKET RISK ASSOCIATE I page is loaded## MARKET RISK ASSOCIATE Iremote type: Hybridlocations: New Yorktime type: Full timeposted on: Posted Todaytime...For contractorsWork at officeLocal area- Compunnel, Inc. is seeking a Market Risk Consultant to support market risk management and valuation across financial markets. The position requires deep expertise in capital markets products, risk analytics, and hands-on experience with Murex MX.3. The ideal candidate will...
- A leading financial institution in New York is seeking a Market Risk Manager to join their team. You will play a key role in identifying and managing financial risks associated with trading activities. Candidates should have a relevant degree and at least 3 years of experience...
$110k - $125k
NAIC in New York City is seeking a Capital Markets Analyst II to monitor investment markets across various asset classes and produce comprehensive... ...’s degree in Finance or Economics, and a strong background in risk management. A competitive salary between $110,000 and $125,000...$98k
The National Association of Insurance Commissioners is seeking a Capital Markets Analyst II for their New York City office. This full-time hybrid position involves monitoring investment markets and preparing analytical reports. Ideal candidates will have a strong background...Full timeWork at office$70k - $100k
...Join Mizuho as a Risk Tech Analyst! In this role, you will be part of the NPE (New product Enablement) team whose purpose is to support... ...quality, which is a critical function to ensure a rapid time to market of new products. Support Assist Quants, Risk...Work at officeLocal areaRemote workWorldwide- Citigroup Inc. is seeking a Market Risk Senior Officer I in New York. This strategic role revolves around overseeing market risk operations for Global Equities, demanding deep expertise in the Equities Markets, and the ability to drive compliance and mitigate risks. The...
- ...professional with in-depth knowledge of insurance products. Responsibilities include assessing client needs, designing solutions, and marketing client business to various carriers. The ideal candidate will have a Bachelor's Degree and 10 years of experience in the field...
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...Join Mizuho as a Risk Tech Analyst! In this role, you will be part of the NPE (New product Enablement) team whose purpose is to support Quants... ..., which is a critical function to ensure a rapid time to market of new products. Support Assist Quants, Risk Analytics and Market...Work at officeLocal areaRemote work
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